<textarea id="editor">
<table border="2" summary="Balance Sheet &amp; Cash Flow Statement Information">
	<thead>
		<tr>
			<th colspan="1" scope="row" style="width:167px">&nbsp;</th>
			<th colspan="3" scope="col" style="background-color:#1d7373; width:224px">Full Year (unaudited)</th>
			<th colspan="4" scope="col" style="background-color:#1d7373; width:360px">2013 (unaudited)</th>
		</tr>
	</thead>
	<tbody>
		<tr>
			<th scope="row" style="width:167px">&nbsp;</th>
			<td style="background-color:#5ccccc; width:78px">2011</td>
			<td style="background-color:#5ccccc; width:73px">2012</td>
			<td style="background-color:#5ccccc; width:72px">2013</td>
			<td style="background-color:#5ccccc; width:72px">Q1</td>
			<td style="background-color:#5ccccc; width:72px">Q2</td>
			<td style="background-color:#5ccccc; width:72px">Q3</td>
			<td style="background-color:#5ccccc; width:72px">Q4</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><strong>Cash, Cash Equivalents &amp; Marketable Securities</strong></th>
			<td style="width:78px">$44,626</td>
			<td style="width:73px">$48,088</td>
			<td style="width:72px">$58,717</td>
			<td style="width:72px">$50,098</td>
			<td style="width:72px">$54,432</td>
			<td style="width:72px">$56,523</td>
			<td style="width:72px">$58,717</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><strong>Accounts Receivable, Net of Allowance (Google stand-alone)</strong></th>
			<td style="width:78px">$5,427</td>
			<td style="width:73px">$6,769</td>
			<td style="width:72px">$8,098</td>
			<td style="width:72px">$6,526</td>
			<td style="width:72px">$6,792</td>
			<td style="width:72px">$7,083</td>
			<td style="width:72px">$8,098</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><em>DSO for Company stand-alone<br />
			(in days, using ending AR)</em></th>
			<td style="width:78px">52</td>
			<td style="width:73px">54</td>
			<td style="width:72px">53</td>
			<td style="width:72px">45</td>
			<td style="width:72px">47</td>
			<td style="width:72px">47</td>
			<td style="width:72px">47</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><strong>Property and Equipment, Net</strong></th>
			<td style="width:78px">$9,603</td>
			<td style="width:73px">$11,854</td>
			<td style="width:72px">$16,524</td>
			<td style="width:72px">$12,300</td>
			<td style="width:72px">$12,912</td>
			<td style="width:72px">$14,867</td>
			<td style="width:72px">$16,524</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><strong>Total Assets</strong></th>
			<td style="width:78px">$72,574</td>
			<td style="width:73px">$93,798</td>
			<td style="width:72px">$110,920</td>
			<td style="width:72px">$96,692</td>
			<td style="width:72px">$101,182</td>
			<td style="width:72px">$105,068</td>
			<td style="width:72px">$110,920</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><strong>Cash Flow from Operations</strong></th>
			<td style="width:78px">$14,565</td>
			<td style="width:73px">$16,619</td>
			<td style="width:72px">$18,659</td>
			<td style="width:72px">$3,633</td>
			<td style="width:72px">$4,705</td>
			<td style="width:72px">$5,083</td>
			<td style="width:72px">$5,238</td>
		</tr>
		<tr>
			<th scope="row" style="background-color:#ffd5b2; width:167px"><strong>Capital Expenditures</strong></th>
			<td style="width:78px">$3,438</td>
			<td style="width:73px">$3,273</td>
			<td style="width:72px">$7,358</td>
			<td style="width:72px">$1,203</td>
			<td style="width:72px">$1,611</td>
			<td style="width:72px">$2,289</td>
			<td style="width:72px">$2,255<br />
			&nbsp;</td>
		</tr>
	</tbody>
</table>
</textarea>

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